NEW YORK COMMUNITY BANCORP, INC. - COM (NYCB)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
622M
Holdings value Q2 2024
$1.94B
Value change Q2 2024
+$635M
Grand Portfolio weight change Q2 2024
+0.001%
Number of holders
411
Number of buys Q2 2024
218
Number of sells Q2 2024
-244
Average buys Q2 2024 %
+0.034%
Average sells Q2 2024 %
-0.002%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 622M $1.94B +$635M $3.22 418
2024 Q1 413M $1.32B -$933M $3.22 500
2023 Q4 499M $5.11B +$63M $10.23 545
2023 Q3 487M $5.53B +$9.04M $11.34 529
2023 Q2 481M $5.41B +$482M $11.24 502
2023 Q1 447M $4.04B +$401M $9.04 490
2022 Q4 394M $3.39B +$945M $8.60 492
2022 Q3 292M $2.49B +$16M $8.53 437
2022 Q2 290M $2.64B +$1.95M $9.13 443
2022 Q1 286M $3.06B +$49.2M $10.72 446
2021 Q4 284M $3.47B -$127M $12.21 430
2021 Q3 294M $3.79B +$24.2M $12.87 397
2021 Q2 293M $3.23B +$237M $11.02 391
2021 Q1 269M $3.39B -$33.2M $12.62 376
2020 Q4 272M $2.87B -$5.73M $10.55 367
2020 Q3 275M $2.27B -$102M $8.27 360
2020 Q2 286M $2.92B -$56.7M $10.20 358
2020 Q1 292M $2.74B +$43.8M $9.39 342
2019 Q4 286M $3.44B -$31.4M $12.02 372
2019 Q3 287M $3.61B -$179M $12.55 343
2019 Q2 303M $3.02B +$49.1M $9.98 372
2019 Q1 299M $3.46B -$182M $11.57 388
2018 Q4 318M $2.99B -$185M $9.41 371
2018 Q3 337M $3.49B +$163M $10.37 408
2018 Q2 321M $3.54B -$40.9M $11.04 416
2018 Q1 323M $4.2B +$360M $13.03 421
2017 Q4 295M $3.84B +$69.7M $13.02 421
2017 Q3 289M $3.72B +$58.6M $12.89 374
2017 Q2 284M $3.73B +$35.5M $13.13 396
2017 Q1 281M $3.93B +$527M $13.97 421
2016 Q4 294M $4.67B -$3.74M $15.91 409
2016 Q3 294M $4.19B -$105M $14.23 399
2016 Q2 302M $4.52B +$248M $14.99 410
2016 Q1 284M $4.51B +$73.6M $15.90 416
2015 Q4 281M $4.58B +$437M $16.32 445
2015 Q3 255M $4.6B +$9.93M $18.06 414
2015 Q2 254M $4.67B +$190M $18.38 405
2015 Q1 240M $4.01B +$154M $16.73 398
2014 Q4 235M $3.76B -$214M $16.00 399
2014 Q3 248M $3.93B +$20.8M $15.87 378
2014 Q2 247M $3.94B +$96.8M $15.98 369
2014 Q1 240M $3.86B +$19.3M $16.07 367